Portfolio Sleuth is a ground-breaking new software tool for individual investors which balances the relative security allocations for a portfolio such that the rate of portfolio return is maximized and portfolio volatility (return variability) is minimized.
Portfolio Sleuth uses an advanced massively-parallel algorithm to simultaneously examine the historical data of thousands of securities and finds the optimal allocation for the investor-desired mix of risk and return. Portfolio Sleuth is equipped with a powerful visualization engine which is critical for deep understanding of the macro- and micro-behavior of a chosen portfolio. Portfolio Sleuth empowers people to invest wisely and objectively.